This case involves a seldom-litigated corner of the constitutional law of federalism known as Supremacy Clause immunity. Supremacy Clause immunity governs the extent to which states may impose civil or criminal liability on federal officials for alleged violations of state law committed in the course of their federal duties. These disputes permit of no easy answers, because while state criminal law provides an important check against abuse of power by federal officials, the supremacy of federal law precludes the use of state prosecutorial power to frustrate the legitimate and reasonable exercise of federal authority. The doctrine has played a part in some of the most dramatic clashes between states and the federal government in U.S. history, such as Mississippi’s prosecution of a federal marshal for breach of the peace for using tear gas to control riots erupting over the admission of the first African American student to its state university; 1 California’s prosecution of a federal marshal for killing a former justice of the state supreme court who he thought was about to assassinate Supreme Court Justice Stephen Field; 2 and, more recently, Idaho’s prosecution of a federal agent for killing an unarmed woman (and a pet dog) in connection with the notorious raid on a cabin at Ruby Ridge. 3 This case involves the highly charged issue of federal reintroduction of wolves in Wyoming. The question is whether the State may prosecute the federal agent in charge of the wolf reintroduction program and a federal contractor assisting him for alleged violations of the Wyoming laws against trespass and littering, when the defendants unknowingly entered private property in the course of tranquilizing and installing collar monitoring devices on wolves that had strayed from their proper territory.
I. Background
In 1995, decades after the native population of gray wolves disappeared from Wyoming, the United States Fish and Wildlife Service (“USFWS”) embarked on a program of reintroduction of the animal to the State. Not surprisingly for a State heavily dependent on livestock for its economic *1214 well-being, the decision to reintroduce wolves met with vehement local opposition, which is well documented in the record. The USFWS recognized that the success of the reintroduction program would depend, in large measure, on its ability to control livestock predation by the reintroduced wolves. The USFWS uses radio telemetry to monitor and manage the wolves. USFWS staff capture the wolves and outfit them with radio collars, which reveal the location of wolf packs to the USFWS and enable the agency to use radio-signaled light and siren scare devices to harass the wolves away from livestock and back to their designated territory. The USFWS also provides the radio frequencies to local ranchers to alert them when wolf packs are near.
Radio collaring wolves is not an easy process. Typically, a fixed wing aircraft spots a wolf pack and ascertains whether any members of the pack lack collars. If so, the pilot directs a helicopter team to the pack. When the pack hears the helicopter, the wolves have a tendency to disperse in all directions. The helicopter pursues the wolves at low altitude to enable the gun operator to fire a tranquilizer dart at a wolf from a distance of less than twenty yards. Once struck by a dart, a wolf can still travel up to a mile before the tranquilizer takes effect. This, along with the initial dispersion, means that collaring operations can be spread over several square miles. When practicable, the helicopter will land to pick up each immobilized wolf and take it to a central place where it can be processed with other wolves; however, if landing is not possible, a team member will hike to the wolf and either carry it to the central location or process it on the spot. The tranquilized wolves require close attention. The tranquilizers prevent the wolves from effectively regulating their body temperature, so capture teams have to move the wolves into open or shady areas as conditions dictate. The wolves also have trouble closing their eyes and regulating incoming light while under effect of the drugs.
Defendant Michael David Jimenez, Ap-pellee in No. 04-8085, has been the project leader of the USFWS Wyoming Wolf Recovery Project since 1999. His prior experience includes participation in a capture team that radio collared 47 wolves in Yellowstone Park and supervision of a team that radio collared another 28 wolves. Defendant Wesley 0. Livingston, Appellee in No. 04-8087, an experienced wolf handler, was an employee of Hawkins and Powers Aviation, Inc. working with Mr. Jimenez as a federal contractor to support the wolf monitoring program.
On February 13, 2004, a fixed wing aircraft spotted the Washakie pack, a troublesome group of gray wolves, near Mee-teetse, Wyoming, far outside their normal range. This Court is familiar with the Washakie pack on account of earlier litigation in which Wyoming ranching interests sought to compel the USFWS to undertake greater efforts to control the pack.
See Gordon v. Norton,
In accordance with USFWS procedure, it was Mr. Jimenez’s practice to secure permission from land owners if he thought he would need to go on private land. Of *1215 the members of the capture team, Mr. Jimenez was least familiar with the Mee-teetse area. Before the helicopter flight, Mr. Jimenez spoke with the fixed-wing pilot and the helicopter pilot; they both indicated their belief that the wolves were located on federal land managed by the Bureau of Land Management (BLM). The area in which the wolves were spotted is a jumble of federal, state, and private land; it is difficult from the air (and often from the ground) to determine the ownership of the land, even with the assistance of maps. Determining the ownership of the land during the operation was all the more difficult because the doors of the helicopter were removed to allow operation of the dart and net guns; this made map reading impossible during flight because of the wind blowing through the helicopter. The helicopter was equipped with a global positioning system (GPS) that allowed the pilot to lock in coordinates whenever a dart or net was fired. Later examination of GPS coordinates indicated that, at the time when darts or nets were discharged from the helicopter, the target wolves were on private land.
The operation successfully captured and collared five wolves. One wolf was net gunned, physically restrained, radio collared, and released. Three wolves were net gunned and then immobilized with darts and another wolf was darted on a rocky slope where it was unsafe to land. The helicopter harassed this last wolf down a hill toward a gravel road where it was safe for the helicopter to land. After dropping Mr. Jimenez off on the road, the helicopter went to retrieve the three other darted wolves. Mr. Jimenez walked up a hill to retrieve the immobilized wolf. He carried this wolf down the slope to a shaded patch of snow near the road. Later examination by state surveyors revealed that this spot was outside the county road right of way, on private land owned by the Larsen Ranch. The helicopter returned with the three other wolves, which Mr. Jimenez and Mr. Livingston moved to the patch of snow where the other darted wolf had been deposited. At this point the helicopter left to refuel while Mr. Jimenez and Mr. Livingston examined the wolves for injuries, took blood samples, and placed radio collars on them. The wolves were released. A monitoring flight on February 19, 2004 revealed that the Was-hakie pack had traveled about 15 miles southwest of the processing spot; by March 4, 2004 the pack had returned to its traditional range in the Dunoir Valley.
In his declaration, Mr. Jimenez states that there were no fences, cattle, notices of private property, or other postings at the site where he and Mr. Livingston processed the wolves. He states that he was not familiar with the road and no one had informed him that the area adjacent to the road was private property. As Mr. Jimenez and Mr. Livingston were attending to the wolves, Randy Kruger, a shareholder and employee of the Larsen Ranch Company, owner of the property, drove up the road. He stopped his vehicle and asked Mr. Jimenez what he was doing. Mr. Jimenez explained his purpose. Mr. Kruger never informed Mr. Jimenez that he was on private land and never asked Mr. Jimenez to leave Larsen Ranch property or to remove the wolves from ranch property. Mr. Kruger had a camera and took several photographs of Mr. Jimenez and the wolves, which appear in the record. After an apparently amicable conversation, Mr. Jimenez and Mr. Kruger shook hands before Mr. Kruger departed.
On March 2, 2004 Special Agent Steve Herrmann of the Wyoming Division of Criminal Investigation began investigating allegations by Mr. Kruger that Mr. Jimenez and Mr. Livingston had trespassed on Larsen Ranch land during the capture operation. As part of this investigation Mr. *1216 Herrmann met with a Park County Engineer and a Park County Works Department Project Manager to survey the site of the encounter to determine whether Mr. Jimenez and Mr. Livingston had been on private land during the operation. The road, Park County Road 4 CP, has a sixty foot right of way. The survey indicated that in two of the photographs taken by Mr. Kruger, Mr. Jimenez was on Larsen Ranch land. Interviews with Mr. Jimenez and Mr. Livingston confirmed the general outlines of Mr. Kruger’s allegations and also revealed that Mr. Jimenez had walked approximately one quarter mile north of the road to retrieve a darted wolf.
On April 16, 2004, the State of Wyoming filed separate Misdemeanor Informations in the Park County Circuit Court alleging that Mr. Jimenez and Mr. Livingston violated Wyoming Statute § 6 — 3—303(a), which prohibits knowingly entering the land of another without authorization, and Wyoming Statute § 6-3-204(a), which prohibits littering by placing or depositing objects on the property of another. Mr. Livingston appeared before the Circuit Court on May 11, 2004. Mr. Jimenez never appeared before the Circuit Court. Mr. Jimenez filed a notice of removal in the United States District Court for the District of Wyoming on May 4, 2004. The district court entered an order of removal pursuant to 28 U.S.C. § 1442(a)(1) on May 7, 2004. On May 10, 2004, Mr. Livingston filed a notice of removal with the district court and the court entered an order of removal pursuant to 28 U.S.C. § 1442(a)(1) on the same date.
The State of Wyoming filed motions to vacate the orders removing the prosecutions. In both motions, the State argued that the federal court did not have jurisdiction because the Defendants had not been arraigned and that removal was- improper because the district court did not hold an evidentiary hearing, as required by 28 U.S.C. § 1446(c)(5). On May 27, 2004, Mr. Jimenez filed a motion to dismiss, asserting that because federal law authorized his actions he was entitled to immunity under the Supremacy Clause of the Constitution. On June 8, 2004, Mr. Livingston filed a motion to dismiss, arguing that because he was acting at the authorized direction of a federal officer, he was similarly immune from prosecution under the Supremacy Clause. On June 30, 2004, the district court held a combined hearing on the motions to vacate removal and the motions to dismiss. On July 16, 2004, the district court issued an order denying the motions to vacate and granting both motions to dismiss.
The State of Wyoming appeals, raising two arguments. First, it contends that the district court erred by denying the motion to vacate removal because the district court did not hold an evidentiary hearing prior to ordering the removal. Second, it argues that the grant of Supremacy Clause immunity was improper because there were contested issues of fact that were material to whether the actions of the Defendants were necessary and proper to carry out their authorized duties.
Before the district court and at appellate oral argument, Wyoming argued that a grant of Supremacy Clause immunity was inappropriate for Mr. Livingston because he was a federal contractor rather than a federal employee. However, Wyoming did not address this issue in its opening appellate brief. The issue is therefore waived. See
Lifewise Master Funding v. Telebank,
II. Applicable Law
A. The Development of Supremacy Clause Immunity
The framers of the American federal system expected the federal and state governments each to check the abuses of the other.
See
The Federalist No. 28, at 179 (Alexander Hamilton) (Jacob E. Cooke ed., 1961) (“[T]he General
[i.e.,
federal] Government will at all times stand ready to check the usurpations of the state governments; and these will have the same disposition towards the General Government. ... If [the rights of the people] are invaded by either, they can make use of the other, as the instrument of redress.”); The Federalist No. 51, at 351 (James Madison) (“In the compound republic of America .... a double security arises to the rights of the people. The [state and federal] governments will controul each other; at the same time that each will be contr-oulled by itself.”). The flipside of this mutual checking function, however, is the danger that one level of government would improperly restrict the other, and especially that states would impede or frustrate the legitimate execution of federal law. To prevent this second evil, federal officers have long been held immune from state prosecutions for actions reasonable and necessary in the discharge of their federal responsibilities.
See, e.g., In re Neagle,
This Constitution, and the Laws of the United. States which shall be made in Pursuance thereof; and all Treaties made, or which shall be made, under the Authority of the United States, shall be the supreme Law of the Land; and the Judges in every State shall be bound thereby,. any Thing in the Constitution or Laws' of any State to the Contrary notwithstanding.
U.S. Const. art. VI, cl. 2.
Although the Supremacy Clause explicitly refers only to the “Constitution” and “Laws,” its implication is that states may not impede or interfere with the actions of federal executive officials when they are carrying out federal laws. As Chief Justice John Marshall maintained in the great case of
McCulloch v. Maryland,
The Supreme Court’s leading case on Supremacy Clause immunity is
In re Nea-gle,
Justice Field, accompanied by Mr. Nea-gle, was traveling by railway from Los Angeles to San Francisco when the Terrys boarded the train in Fresno.
Id.
Justice Field was in the dining car when he encountered the truculent couple.
Id.
at 52,
The Supreme Court held that Mr. Nea-gle was entitled to habeas corpus relief because he was acting under authority of the law of the United States, and thus he was “not liable to answer in the courts of California on account of his part in that transaction.”
Id.
at 76,
The Court then considered whether Mr. Neagle’s defense stemmed from the exercise of federal authority. It rejected the argument that Mr. Neagle’s conduct was unauthorized because no act of Congress expressly empowered marshals to accompany Supreme Court justices through their circuits, to serve as their bodyguards, and to defend them from assaults.
Id.
at 58,
After ascertaining that Mr. Neagle was authorized to protect the life of a Supreme Court Justice, the only remaining inquiry was whether he did “no more than what was necessary and proper” to carry out
*1219
that duty.
Id.
at 75,
The Court reaffirmed the principles of
Neagle
in
Ohio v. Thomas,
In both
Neagle
and
Thomas
it was apparent that the federal officers had acted reasonably in discharging their duties. However, in
United States ex rel. Drury v. Lewis,
The contrast between Lewis and Neagle clarifies the key inquiry in early Supremacy Clause immunity cases: given the undisputed facts of a case, was the federal officer reasonably discharging his authorized federal duties? If so, then a grant of habeas corpus is appropriate in advance of trial. If not, then the state court prosecution may proceed, leaving as recourse a post-conviction habeas petition if the result is adverse.
*1220 B. Supremacy Clause Immunity Doctrine in the Lower Federal Courts
The Supreme Court has decided no Supremacy Clause immunity case since 1920.
See Johnson v. Maryland,
Determination of whether petitioner’s shooting ... was necessary and proper ... must rest not only on the subjective belief of the officer but also on the objective finding that his conduct may be said to be reasonable under the existing circumstances. Proper application of this standard does not require a petitioner to show that his action was in fact necessary or in retrospect justifiable, only that he reasonably thought it to be.
Id.
The Ninth Circuit incorporated a subjective element into the “necessary and proper” analysis. It explained that “ ‘if ... petitioner shows ... that he had an honest and reasonable belief that what he did was necessary in the performance of his duty ... then he is entitled to the relief he seeks.’ ”
Id.
at 729 (quoting
In re McShane’s Petition,
In
Kentucky v. Long,
[A] two-part test determines whether or not a state court has jurisdiction to prosecute a federal agent for conduct facially violative of a state’s criminal code. Under Neagle, a state court has no jurisdiction if (1) the federal agent was performing an act which he was authorized to do by the law of the United States and (2) in performing that authorized act, the federal agent did no more than what was necessary and proper for him to do.
Id.
at 744. As to whether an act was “necessary and proper,” the Sixth Circuit, citing
Clifton,
stated that a federal officer must “only show that he reasonably thought it to be necessary and justifiable.”
Id.
at 745. The court also included
Clifton’s
subjective element, which requires the agent to “have an honest belief that his action was justified.”
Id.
The Second Circuit has adopted a similar approach.
See New York v. Tanella,
Although we agree with the general Supremacy Clause immunity analysis set forth in Clifton and Long, we are hesitant to adopt the “necessary and proper” label as it may engender unnecessary confusion with the familiar Necessary and Proper Clause of Article I, Section 8, Clause 18. 4 *1221 The “necessary and proper” language is derived from Neagle, where the Court said,
if the prisoner is held in the state court to answer for an act which he was authorized to do by the law of the United States, which it was his duty to do as marshal of the United States, and if, in doing that act, he did no more than what was necessary and proper for him to do, he cannot be guilty of a crime under the law of the state of California.
In re Neagle,
We are also concerned with the incorporation of a subjective element into the reasonableness of a federal officer’s actions, an element that was not present in the Supreme Court’s decisions. The subjective element first appeared in district court decisions in the mid-twentieth century. In
Brown v. Cain,
Although qualified immunity and Supremacy Clause immunity have different sources and functions, there is a functional similarity between these two doctrines. Both qualified immunity and Supremacy Clause immunity reduce the inhibiting effect that a civil suit or prosecution can have on the effective exercise of official duties by enabling government officials to dispose of cases against them at an early stage of litigation.
See Anderson v. Creighton,
In harmony with the Second, Sixth, and Ninth Circuits, we hold that a federal officer is not entitled to Supremacy Clause immunity unless, in the course of performing an act which he is authorized to do under federal law, the agent had an objectively reasonable and well-founded basis to believe that his actions were necessary to fulfill his duties. We leave for another day the question whether that belief must be both subjectively and objectively reasonable. 5
C. Congressional Protection of Federal Actors: Federal Officer Removal Statutes
Related to the judicially created Supremacy Clause immunity doctrine are federal officer removal statutes. Like Supremacy Clause immunity, federal officer removal statutes are designed to protect the operations of the federal government from state interference. Despite their similarities, the principles are distinct. Supremacy Clause immunity, when properly established, provides an absolute immunity to prosecution.
See Neagle,
Although they have not always taken their present form, federal officer removal statutes have long been a part of this country’s history. The first removal provision was enacted as part of an 1815 customs statute, which attempted to enforce, over the opposition of New England states, an embargo on trade with England.
Willingham v. Morgan,
These early removal statutes were often met with constitutional challenges, based on the theory that the cases did not arise under the Constitution or laws of the United States, and thus were outside the scope of Article III.
Mayor v. Cooper,
Tennessee v. Davis,
In 1948, Congress extended the early, limited removal statutes to cover all federal officers. See Act of June 25, 1948, ch. 646, 62 Stat. 869, 938 (codified as amended at 28 U.S.C. § 1442(a)). The new federal officer removal statute provides, in relevant part:
A civil action or criminal prosecution commenced in a State court against any of the following may be removed by them to the district court of the United States for the district and division embracing the place wherein it is pending:
(1) The United States or any agency thereof or any officer (or any person acting under that officer) of the United States or of any agency thereof, sued in an official or individual capacity for any act under color of such office or on account of any right, title or authority claimed under any Act of Congress for the apprehension or punishment of criminals or the collection of the revenue.
28 U.S.C. § 1442(a). This statute reflects Congress’s determination that “federal officers, and indeed the Federal Government itself, require the protection of a federal forum.”
Willingham,
Although the language of the statute seems to permit removal of state criminal prosecutions whenever a federal officer is sued or prosecuted for an act under color of his federal office, the Supreme Court has confined the statute to cases where the officer alleges a colorable federal defense for the act.
Mesa,
III. Discussion
A. Removal
Wyoming does not dispute that this case involves a federal officer prosecuted for acts under the color of federal office, nor that Defendants Jimenez and Livingston have colorable federal defenses based on Supremacy Clause immunity. The State does argue, however, that removal was procedurally improper, in that the district court failed to hold an evidentiary hearing prior to denying the State’s motion to vacate. The removal statute provides that “[i]f the United States district court does not order the summary remand of [a criminal] prosecution, it shall order an eviden-tiary hearing to be held promptly and after such hearing shall make such disposition of the prosecution as justice shall require.” 28 U.S.C. § 1446(c)(5) (emphasis added). The district court concluded that an evi-dentiary hearing is not necessary when there is no dispute about the facts that permit removal. The State argues that this violates the plain text of the statute, and urges this Court to reverse the decision below and remand to the district court with instructions to hold the required evi-dentiary hearing.
The district court’s decision that no evi-dentiary hearing was required may seem to be commonsensical. There is no need for a court to hold an evidentiary hearing in a matter when there are no material facts in dispute.
Cf. Scrivner v. Tansy,
In this case the district court ordered removal without giving Wyoming an opportunity to contest the factual basis for removal. This practice violated the technical requirements of 28 U.S.C. § 1446(c)(5) and might conceivably have affected the nature of the inquiry required by § 1442(a)(1).. The court had little before it other than Mr. Jimenez’s motion for removal and the Affidavit of Probable Cause, on which the Wyoming prosecution was based. The Affidavit of Probable Cause stated that “a United States Fish and Wildlife employee along with another person had trespassed on private deeded land in the furtherance of capturing and/or releasing wolves.” Jimenez App. 20. Although the State’s apparent admission, in this Affidavit, that the trespass was “in the furtherance of’ the federal policy of wolf capture and release suggests the likelihood of a Supremacy Clause immunity defense, that admission may not be sufficient, without more, to establish a colorable federal defense. Consistent with the language of the Affidavit of Probable cause, it might have been possible, for example, that Mr. Jimenez’s trespass represented a mere cutting of corners or carelessness, not reasonably necessary for the wolf capturing operation. We need not determine whether the district court’s decision to forego an evidentiary hearing was legal error, however, because we find that any error was without a doubt harmless.
We now know that there were no material facts in dispute. It is undisputed that Defendants Jimenez and Livingston were federal officials, 7 and likewise undisputed that they have a colorable federal defense. That is all that is required for removal under § 1442(a)(1). In its briefs before this Court, the State has identified no disputed factual question relevant to removal, and appears concerned only with the formalities. In our view, to reverse and remand to the district court for an eviden-tiary hearing (on nothing), as the State requests, would be a colossal waste of time and resources. 8
*1226
The Defendants-Appellees have not expressly argued that the district court’s error, if any, was harmless. We may nonetheless address harmless error
sua sponte
if three conditions are met: (1) the record is not overly long or complex; (2) the harmlessness is not debatable; (3) reversal would result in futile and costly proceedings in the district court.
See United States v. Samaniego,
B. Supremacy Clause Immunity
1. Standard of Review
Having established that the district court properly removed the Wyoming prosecution to federal court, we must now consider whether the district court properly held that the Defendants are entitled to Supremacy Clause immunity. Supremacy Clause immunity dismissals present a mixed question of law and fact and are reviewed de novo.
Tanella,
When the district court grants Supremacy Clause immunity on a motion to dismiss, we review the district court’s decision by asking two questions: (1) Whether the federal officer had authority for his acts under the Constitution or the laws of the United States; and (2) whether there is a disputed issue of fact bearing on whether the federal officer had an objectively reasonable and well-founded basis to believe that the indicted acts were necessary to carry out his duties. 9
2. Federal Authorization
The first question is whether the Defendants had federal authorization for their acts on February 14, 2004. Mr. Jimenez and Mr. Livingston were acting under regulations promulgated pursuant to the Endangered Species Act, which authorizes the designation of nonessential experimental populations of endangered and threatened species and permits the promulgation of rules governing the management of these populations. 16 U.S.C. § 1539®. The gray wolf was listed as an
*1227
endangered species in 1978 in the lower 48 states except Minnesota. Reclassification of the Gray Wolf in the United States and Mexico, with Determination of Critical Habitat in Michigan and Minnesota, 43 Fed.Reg. 9607 (Mar. 9,1978). In 1994, the Secretary of the Interior adopted a gray wolf recovery program that provided for the annual reintroduction of fifteen wolves in Yellowstone National Park and central Idaho.
Wyo. Farm Bureau Fed’n v. Babbitt,
The regulations do not merely authorize, but impose an obligation on the USFWS to monitor wolves. Id. § 17.84(i)(8) (“The reintroduced wolves will be monitored during the life of the project... .”)• This monitoring regulation is important because it provides direct federal authorization for the actions of the Defendants.
We note, however, that the regulation does not contain an explicit grant of authority for USFWS staff to trespass. The regulations that do address private land do not state whether USFWS officials need to secure permission from landowners before operating on their land. For example, in a section addressing problem wolves that have attacked livestock, USFWS staff have the authority to relocate “[a]ll wolves on private land” to “other areas within the experimental population area if continued depredation occurs.” Id. § 17.84(i)(3)(vii). The lack of any reference to the permission of the land owner distinguishes these regulations from those governing the reintroduction of other species. For example, the Mexican gray wolf regulations state: “If any wolves move onto private land outside the designated recovery area(s), but within the Mexican Wolf Experimental Population Area, the Service or an authorized agency will develop management actions in cooperation with the landowner including capture and removal of the wolf or wolves if requested by the landowner.” Id. § 17.84(k)(ll). We are hesitant to read too much into the differences between this language and the gray wolf regulations, but there is a plausible inference that USFWS staff acting pursuant to the gray wolf regulations have a slightly freer hand when working on private land than those acting pursuant to the Mexican wolf regulations.
In any event, Supremacy Clause immunity does not require that federal law explicitly authorize a violation of state law. The Supreme Court found federal authorization in Neagle despite the fact that the Attorney General’s order did not explicitly authorize the use of lethal force, and in Thomas even though the federal oleomargarine provision did not authorize violation of Ohio’s notice requirement. The question is not whether federal law expressly authorizes violation of state law, but whether the federal official’s conduct was reasonably necessary for the performance *1228 of his duties. Accordingly, there is no question that the Defendants had federal authorization for the capture and collar operation that led to their indictments.
3. Reasonable and Necessary
Having determined that the Defendants had federal authorization for their conduct, we next ask whether Mr. Jimenez and Mr. Livingston had an objectively reasonable and well-founded basis to believe that their actions were necessary to carry out their duties. Because the State does not dispute that the federal agents subjectively believed their actions were necessary, we consider only whether that belief was well-founded and objectively reasonable. As mentioned earlier, we decline to consider whether subjective reasonableness is a necessary consideration in Supremacy Clause immunity cases.
It is undisputed that tracking the Was-hakie pack was a difficult enterprise. Extensive forest cover and frequent windy conditions in the home range of the wolves make it difficult for the USFWS to attend to the duty to monitor the wolves on their own turf. It is also uncontested that the spotting of the pack far outside of its normal range on February 13, 2004, presented unusually favorable conditions for the Defendants to capture and collar the wolves. Given the difficulty of tracking the wolves there is no question that it was objectively reasonable for the Defendants to believe that taking advantage of this opportunity was necessary to carry out their duty to monitor the wolves.
The more difficult question is the reasonableness of their decision to immobilize the wolves and place them on land that might turn out to be private. The Defendants do not argue that federal law gives them a right to trespass with impunity when pursuing wolves, nor do they argue that when exigent circumstances exist there is a limited right to trespass. Thus, we need not consider those arguments. The record, including declarations from cattle ranchers hostile to the wolf program, shows that Mr. Jimenez is conscientious about securing permission from land owners when he knows he might be on their land. Rather, the Defendants argue that they made reasonable attempts to determine whether they were on private land in this case and that there were no indications, such as signage or fences, that they were on private land.
11
Thus, the Defendants contend, there were objective reasons to believe that they were not on private land.
See Texas v. Carley,
Wyoming counters that there were signs in the area and that the GPS coordinates from the helicopter indicated that each discharge of a dart or net was over private *1229 land. Wyoming argues that this evidence was sufficient to create a question of fact as to whether the Defendants’ belief that they were on public land was objectively reasonable.
We believe the undisputed evidence in the record establishes that the Defendants’ belief that they were on public land was objectively reasonable and well-founded. Given the expansive range of gray wolves as well as their propensity to run in any direction after being darted, it would be an onerous burden on federal officers like Mr. Jimenez to require them to determine the precise boundaries of land that
might
be encountered, on threat of criminal prosecution if they should be in error.
Cf. Davis,
Wyoming law treats the presence of a person on the private land of another as criminal trespass only when he enters or remains “knowing he is not authorized to do so, or after being notified to depart or to not trespass.” Wyo. Stat. § 6-3-303(a). Notice may be provided in two ways: “(i) Personal communication to the person by the owner or occupant, or his agent, or by a peace officer; or (ii) Posting of signs reasonably likely to come to the attention of intruders.” Id. A reasonable person operating on what might be private land in the State of Wyoming would presumably be on alert for these two types of notice, and would interpret their absence as an indication he was not trespassing. In particular, the Defendants’ encounter with Mr. Kruger would induce reasonable persons to believe either that they were not on Ranch property or that he acquiesced to their presence.
The State argues that there are some uncontested facts that suggest that the Defendants should have known they were on private land. For example, the parties do not contest that when one of the Defendants fired a dart or net from the helicopter, the pilot would press a button to lock in the GPS coordinates at the time. The parties also do not dispute that comparing these coordinates to a detailed map of the area shows that each time the pilot locked in coordinates the helicopter was over private land. Wyoming asserts that this information creates an issue of genuine fact as to whether the officers were objectively justified in their belief that they were operating on public land. We disagree. Supremacy Clause immunity cases require courts to evaluate the circumstances as they appear to federal officers at the time of the act in question, rather than the more subtle and detailed facts later presented to a court.
See Neagle,
Wyoming also argues that the district court ignored evidence submitted about the signage and structures in the area where Mr. Kruger encountered the Defendants. Wyoming contends that these indications could have alerted the Defendants that they were on private land, creating a disputed factual question. There are two flaws in this argument. First, it is uncontested that the structures were not in the immediate vicinity of the Defendants while they were tending to the wolves. Structures and fences in the distance suggest only that the area off in the distance is private land and say little about the area where the Defendants were dealing with the wolves. Indeed, the presence of far-off structures and fences may reenforce the impression that an unfenced, unsigned area adjoining a public road is not private. We find it significant that the County had to hire professional surveyors to determine whether the Defendants were on a public right of way or on deeded private land. Objective reasonableness does not require federal actors carrying out their duties to estimate property boundaries with a surveyor’s precision, at the peril of criminal prosecution. ■
Second, even on the assumption that the Defendants saw or should have seen the signs identified by Wyoming, these did not provide the Defendants reason to know they were trespassing, because the signs implicitly authorize entry. The signs contain admonitions such as: “Hunter Management Area Ends Here — Respect the Landowner and the Land,” “Notice: No Off Road Vehicle Travel,” ‘Walk-In Area. Foot Traffic Only [Except on Designated Trails] — Hunting on this land is provided for your enjoyment — Respect the Landowner And the Land,” and more cryptically “No Traffic Allowed Off Lease Roads Without Permission of Landowner.” Jimenez App. 174, 176, 178. It is reasonable to read these signs as permitting members of the public to enter the private land, and even hunt animals on that land, so long as they respect the land and do not drive vehicles off road. If the Defendants did see these signs they would have reason to believe the signs indicated private land, but they would also have reason to believe that their presence on private land was permitted. Thus, it does not matter whether the Defendants actually saw the signs. In either case they would have a well-founded basis to believe that they were not committing criminal trespass, and thus that their entry on the land was an objectively reasonable mode of carrying out their federal duties.
Our review of the evidence presented to the district court demonstrates that while the Defendants were attempting to fulfill their federal duty to monitor the wolves through a capture and collar operation they confined their acts to an objectively reasonable view of the scope of their authority. Thus, the district court correctly granted immunity to the Defendants and correctly dismissed the indictment. 12
IV. Conclusion
Granting immunity in this case serves the purposes for which Supremacy Clause *1231 immunity was developed. The record evidence supports the suspicion that the prosecution of Mr. Jimenez and Mr. Livingston was not a bona fide effort to punish a violation of Wyoming trespass law, which requires knowledge on the part of a trespasser, see Wyo. Stat. § 6-3-303(a), but rather an attempt to hinder a locally unpopular federal program. An early grant of immunity reduces the risk that the possibility of state criminal prosecution will deter the performance by federal officers of their federal duties. For the reasons stated above, we AFFIRM the order of the district court denying Wyoming’s motion to vacate removal and granting the Defendants’ motion to dismiss.
Notes
.
In re McShane’s Petition,
.
In re Neagle,
. Idaho v. Horiuchi,
.
McCulloch v. Maryland,
. We also leave for another day whether federal officers are entitled to Supremacy Clause immunity where their state law violation was disproportionate to the federal policy they were carrying out — where, for example, they commit a grievous state offense for the purpose of enforcing a trivial federal policy. Wyoming has not argued that its laws against trespassing and littering are so significant that they outweigh the federal interest in wolf monitoring.
. There is one notable exception to this pattern of reviewing grants of habeas corpus. In
Johnson v. Maryland,
. As noted above, although Mr. Livingston was a federal contractor rather than a federal official, the State waived any argument that he is not covered within the terms of either the removal statute or the doctrine of Supremacy Clause immunity.
. Wyoming does not argue that the evidentia-ry hearing requirement of § 1446(c)(5) is ju
*1226
risdictional, and it is not. It is well settled that parties may stipulate to a waiver of the evidentiary hearing, which would not be permitted if holding the hearing were a jurisdictional requirement.
See Long,
. We note that denying a motion to dismiss does not foreclose a grant of Supremacy Clause immunity at a later stage in the litigation. If a court denies a motion to dismiss because there are genuine issues of fact to resolve, the resolution of those facts could demonstrate that Supremacy Clause immunity is appropriate.
See, e.g., Johnson,
. Since the acts at issue in this prosecution, the Department of the Interior has updated the gray wolf regulations. See 70 Fed.Reg. 1286-01 (Jan. 6, 2005). We focus on the regulations in effect at the time of the relevant acts.
. Under Wyoming law, unauthorized presence on private land constitutes criminal trespass only when the defendant enters or remains "knowing he is not authorized to do so, or after being notified to depart or to not trespass.” Wyo. Stat. § 6-3-303(a). On the facts of this case, therefore, the Defendants would seem to have a plausible defense under state law. The question for purposes of Supremacy Clause immunity, however, is not whether the federal official is guilty under state law, but whether he has established immunity under federal law.
Neagle,
. The only material distinction between the conduct of Mr. Jimenez and the conduct of *1231 Mr. Livingston was Mr. Jimenez’s hike of roughly a quarter mile to retrieve a darted wolf. Wyoming has not argued that this foray differed in any material way from the rest of the Defendants' activities that day.
